Cain International is a privately-held real estate investment firm with offices in London, New York City, and Los Angeles.  Cain International invests across the capital structure including senior loans, mezzanine loans, and preferred and common equity. To date, the group has invested in excess of $3 billion of equity and debt across various real estate projects and operating platforms in both the U.K. and the U.S.


Cain International is expanding its investment team in our newly opened Los Angeles office and seeking to hire an analyst to assist in overseeing an existing U.S. portfolio comprised of residential, commercial, hospitality, and specialty sports / entertainment focused development projects located across New York, Miami, Washington, D.C., and Los Angeles as well as evaluate new investment opportunities in gateway cities across the U.S.  The analyst will be responsible for and involved in deal underwriting, financial modelling, market research, investment due diligence, and asset management at all stages of an investment. Interested candidates should be highly motivated with excellent analytical and communication skills, and seeking to join an entrepreneurial and growing team. 


Analyst Responsibilities:

  • Create and maintain cash flow valuation models for both existing and new investments

  • Draft investment committee memos for new investment opportunities, both equity and debt

  • Assist in deal screening efforts

  • Perform market research and collect data to support analyses

  • Compile monthly asset management reports

  • Perform various asset management tasks including maintaining asset management models, collecting and organizing materials related to projects, and preparing board materials


Job Requirements:

  • 1-3 years of real estate industry, finance or investment banking experience

  • Thorough interest in real estate and real estate related businesses 

  • Excellent financial modeling skills, including understanding structures of cash flow models, IRR analysis, discounted cash flow calculations, promote waterfalls and property-level analysis

  • Proficient in Excel, PowerPoint, and Word

  • Excellent written and verbal communication skills with the ability to report financial analyses in concise written and verbal formats

  • Ability and desire to work in an entrepreneurial environment

  • Strong interpersonal skills and a team player



  • Base salary and discretionary annual bonus commensurate with experience


Interested candidates should email their resume to Devon Hale at